PCBL CHEMICAL LIMITED (PCBL)

NSE: ₹293.05
BSE: ₹292.20
Stock Performance
Corporate Announcements
Re-Lodgement Of Transfer Requests Of Physical Shares

Re-lodgement of Transfer Requests of Physical Shares

2026-06-12 18:30:28
Disclosure Under Regulation 30 Of The SEBI ( Listing Obligations And Disclosure Requirements) Regulations, 2015 ("SEBI Listing Regulations")

Commissioning of a new specialty production line with a gross capacity of 20,000 MTPA at its Mundra Plant in Gujarat

2026-06-11 17:56:40
Announcement under Regulation 30 (LODR)-Newspaper Publication

Special Window for Transfer and Dematerialization of Physical Securities

2026-06-10 16:42:06
Announcement under Regulation 30 (LODR)-Change in Management

Intimation of Material Event- Change in Senior Management Personnel

2026-06-09 18:17:59
Compliances-Certificate under Reg. 74 (5) of SEBI (DP) Regulations, 2018

Certificate under Regulation 74(5) of the SEBI (Depositories and Participants) Regulations, 2018 for the month of May, 2026

2026-06-03 16:55:16
2026-05-21 17:44:09
2026-05-21 17:42:22
Re-Lodgement Of Transfer Requests Of Physical Shares For The Month Of April, 2026

Re-lodgement of Transfer Requests of Physical Shares for the month of April, 2026

2026-05-21 11:49:46
Compliances-Reg.24(A)-Annual Secretarial Compliance

Annual Secretarial Compliance Report for FY 2025-26

2026-05-20 17:56:47
Announcement under Regulation 30 (LODR)-Monitoring Agency Report

Monitoring Agency Report for the quarter ended 31st March, 2026

2026-05-13 10:14:45

Quarterly Financials

Consolidated Standalone
Particulars Jun 2023 Sep 2023 Dec 2023 Mar 2024 Jun 2024 Sep 2024 Dec 2024 Mar 2025 Jun 2025 Sep 2025 Dec 2025 Mar 2026
Revenue from Operations 1,297.29 1,398.30 1,485.28 1,493.45 1,491.02 1,536.09 1,430.02 1,447.50 1,452.98 1,478.01 1,273.99 1,371.07
YOY Revenue Growth % -7.93% -14.1% 1.51% 8.71% 14.93% 9.85% -3.72% -3.08% -2.55% -3.78% -10.91% -5.28%
Other Income 2.88 1.37 3.88 22.85 7.25 2.37 7.95 22.25 7.34 6.43 18.13 6.87
Total Income 1,300.17 1,399.67 1,489.16 1,516.30 1,498.27 1,538.46 1,437.97 1,469.75 1,460.32 1,484.44 1,292.12 1,377.94
Total Expenses + 1,138.39 1,218.55 1,291.61 1,335.94 1,334.15 1,370.62 1,292.19 1,343.22 1,335.33 1,404.61 1,228.95 1,311.62
Cost of Materials Consumed 879.57 1,018.59 1,076.09 996.96 973.90 1,098.84 1,023.42 1,011.75 995.64 1,029.20 968.17 913.04
Employee Benefit Expense 50.28 50.35 55.34 48.98 56.90 54.80 63.18 69.98 65.81 72.44 72.85 67.74
Other Expenses 136.79 135.38 134.90 150.40 160.23 138.88 131.51 136.97 155.00 166.59 151.33 176.06
Operating Profit 158.90 179.75 193.67 157.51 156.87 165.47 137.83 104.28 117.65 73.40 45.04 59.45
OPM % 12.2% 12.9% 13% 10.5% 10.5% 10.8% 9.6% 7.2% 8.1% 5% 3.5% 4.3%
Profit Before Tax + 161.78 181.12 197.55 180.36 164.12 167.84 145.78 126.53 124.99 79.83 50.72 66.32
Tax Expense 43.71 48.76 53.10 41.95 47.84 38.80 34.79 31.78 31.90 20.20 14.64 19.30
Tax % 27% 26.9% 26.9% 23.3% 29.1% 23.1% 23.9% 25.1% 25.5% 25.3% 28.9% 29.1%
Profit After Tax 118.07 132.36 144.45 138.41 116.28 129.04 110.99 94.75 93.09 59.63 36.08 47.02
EPS (Basic) 3.13 3.51 3.83 3.67 3.08 3.42 2.94 2.51 2.47 1.58 0.93 1.20

Yearly Financial Results

Consolidated Standalone
Particulars Mar 2026 Mar 2025 Mar 2024 Mar 2023 Mar 2022
Revenue from Operations 5,576.05 5,904.63 5,674.32 5,873.89 4,446.42
YOY Revenue Growth % -5.56% 4.06% -3.4% 32.1% -
Other Income 38.77 39.82 30.98 38.41 26.73
Total Income 5,614.82 5,944.45 5,705.30 5,912.30 4,473.15
Total Expenses + 5,280.51 5,340.18 4,984.49 5,327.47 3,940.81
Cost of Materials Consumed 3,906.05 4,107.91 3,971.21 4,356.34 3,169.12
Employee Benefit Expense 278.84 244.86 204.95 190.27 158.72
Other Expenses 648.98 567.59 557.47 499.80 498.32
Operating Profit 295.54 564.45 689.83 546.42 505.61
OPM % 5.3% 9.6% 12.2% 9.3% 11.4%
Profit Before Exceptional 334.31 604.27 720.81 584.83 532.34
Exceptional Items -12.45 0.00 0.00 0.00 0.00
Profit Before Tax + 321.86 604.27 720.81 584.83 532.34
Tax Expense 86.04 153.21 187.52 140.74 105.20
Tax % 26.7% 25.4% 26% 24.1% 19.8%
Profit After Tax 235.82 451.06 533.29 444.09 427.14
EPS (Basic) 6.14 11.95 14.13 11.76 11.84

Balance Sheet

Particulars Mar 2026 Mar 2025 Mar 2024 Mar 2023 Mar 2022
ASSETS
Non-Current Assets + 6,590.20 6,536.17 6,026.28 3,289.67 2,572.19
Property, Plant & Equipment 2,288.92 2,138.15 2,099.99 1,933.73 1,902.64
Capital Work in Progress 249.86 205.90 162.86 285.46 129.40
Non-Current Investments 3,976.31 3,992.25 3,674.96 1,005.49 483.00
Goodwill 0.00 0.00 0.00 0.00 0.00
Other Intangible Assets 1.65 1.45 2.04 0.67 0.75
Current Assets + 1,631.02 2,376.17 2,157.49 1,726.54 2,183.16
Inventories 642.06 769.05 563.44 485.80 603.91
Trade Receivables 800.12 1,267.97 1,287.45 1,107.77 1,105.10
Cash and Cash Equivalents 47.29 208.95 163.06 36.79 103.97
Current Investments 0.00 0.00 0.00 0.00 300.04
LIABILITIES & EQUITY
Total Equity 4,051.19 3,743.15 3,279.21 2,819.62 2,604.91
Equity Share Capital 39.35 37.75 37.75 37.75 37.75
Other Equity 4,011.84 3,705.40 3,241.46 2,781.87 2,567.16
Non-Current Liabilities 2,086.73 2,657.86 2,614.38 539.14 587.97
Current Liabilities 2,083.30 2,511.33 2,290.18 1,657.45 1,562.47
Total Liabilities 4,170.03 5,169.19 4,904.56 2,196.59 2,150.44

Cash Flow Statement

Particulars Mar 2026 Mar 2025 Mar 2024 Mar 2023 Mar 2022
Cash from Operating Activities 1,052.57 565.11 972.17 721.79 321.08
Cash from Investing Activities -267.35 -493.12 -2,664.99 -508.40 -547.85
Cash from Financing Activities -946.88 -26.10 1,819.09 -280.57 216.70
Net Increase/Decrease in Cash -161.66 45.89 126.27 -67.18 -10.07